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Okta, Inc. (OKTA)

NasdaqGS - NasdaqGS Echtzeitpreis. Währung in USD
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230,21-6,78 (-2,86%)
Börsenschluss: 4:00PM EST

Hauptinhaber

Währung in USD
Aufschlüsselung
1,18%% Aktien im Besitz von allen Insidern
84,64%% Aktien im Besitz von Institutionen
85,65%% Streubesitz im Besitz von Institutionen
840Anzahl an Institutionen mit Aktienbeteiligungen

Beste institutionelle Inhaber

InhaberAktienGemeldetes Datum % im UmlaufWert
Morgan Stanley12.838.51929. Sept. 202010,70%2.745.517.288
Vanguard Group, Inc. (The)10.710.64929. Sept. 20208,93%2.290.472.288
FMR, LLC9.378.95929. Sept. 20207,82%2.005.690.382
Blackrock Inc.8.855.40129. Sept. 20207,38%1.893.727.503
Price (T.Rowe) Associates Inc4.177.42029. Sept. 20203,48%893.341.267
State Street Corporation2.425.75329. Sept. 20202,02%518.747.279
Allianz Asset Management GmbH2.300.03529. Sept. 20201,92%491.862.484
First Trust Advisors LP2.017.30729. Sept. 20201,68%431.401.101
Sands Capital Management, LLC1.872.52429. Sept. 20201,56%400.439.257
Whale Rock Capital Management LLC1.867.28629. Sept. 20201,56%399.319.111

Beste gemeinsame Fondsinhaber

InhaberAktienGemeldetes Datum % im UmlaufWert
Fidelity Contrafund Inc3.655.79729. Sept. 20203,05%781.792.188
Vanguard Total Stock Market Index Fund3.308.66429. Juni 20202,76%662.493.792
Vanguard Mid-Cap Index Fund2.695.47029. Sept. 20202,25%576.426.259
Price (T.Rowe) New Horizons Fund2.623.65729. Sept. 20202,19%561.069.049
Morgan Stanley Inst Fd Inc-Growth Port2.304.95429. Sept. 20201,92%492.914.412
Vanguard Extended Market Index Fund1.517.25829. Sept. 20201,26%324.465.623
Variable Insurance Products Fund II-Contrafund Portfolio1.422.07329. Sept. 20201,19%304.110.311
Blackrock Funds-Mid-Cap Growth Equity Portfolio1.204.32029. Sept. 20201,00%257.543.832
First Trust Dow Jones Internet Index (SM) Fund1.035.94429. Sept. 20200,86%221.536.624
Morgan Stanley Insight Fund943.75230. Aug. 20200,79%203.255.868